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Mathematical Finance
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About the Author

SILVIA ROMAGNOLI is associate Professor of mathematical methods for Economics and actuarial/Financial Sciences at the University of Bologna, italy. Her scientific research is addressed to the applications of stochastic models to finance and insurance, with special emphasis on multidimensional problems. She has published extensively in international journals including top reviews as Mathematical Finance and Finance & Stochastics. She is co-author of Dynamic Copula Methods in Finance, John Wiley & Sons, ltd, 2012.

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